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2022BUDGETREVIEWOCTOBER 15, 2021
1
TODAY’S OBJECTIVES • REVIEW UPDATED BUDGET INFORMATION + RECOMMENDATIONS
• Operating Fund• Development Fund• Replacement Reserve Fund• New Machinery and Equipment Fund
• REVIEW TOTAL ANNUAL ASSESSMENT RECOMMENDATION• ADOPT THE BUDGET AS PRESENTED WITH OR WITHOUT
MODIFICATION, ORPROVIDE DIRECTION TO STAFF TO REFINE FUND CONTRIBUTIONS FOR APPROVAL AT OCTOBER 22 REGULAR BOARD MEETING
• REVIEW RECREATION FEE RECOMMENDATIONS WITH THE OPTION TO MODIFY AND ADOPT
2
2022 BUDGET MEMBER OUTREACH
LIVE EVENTS / STREET
ACTIVATION TEAMS
BOARDMEETINGS +
WORKSHOPS
• Open Budget Workshops: 9/9, 9/23, 10/15• Dedicated Member Emails: Sent 2-3 days
prior to each meeting with the objectives of each meeting, ways to participate and links to supporting documents
• Weekly Tuesday Emails: Included meetings from August 24 onward
• 2022 Budget Webpage: Created and integrated into web navigation
• Budget Feedback Form: Created and integrated into the 2022 budget webpage
3
2022 BUDGET MEMBER OUTREACH CONTINUED
LIVE EVENTS / STREET
ACTIVATION TEAMS
• 2022 Budget Story: Published in September and October TD News
• Budget Timeline Graphic: Featured in August TD News with meeting dates
• Nextdoor and Facebook: Posted budget workshop reminders
4
BOARD DIRECTION TO STAFF AT PREVIOUS MEETINGS• Include a consolidated Food and Beverage Department income statement• Provide revenue mix where possible – member, guest and public• Provide investment variance analysis and notes• Transfer 2020 Operating surplus to Development Fund – $700,000• Accelerate Downhill Ski Resort Eagle Rock snowmaking and Beach Club
Marina deck expansion projects• Incorporate a land acquisition line item in the Development Fund• Provide Recreation Fee alternative based on two- and four-person options
5
OPERATING BUDGET• Adjustment of compensation and benefits due to competitive market• Ongoing reorganization opportunities• Property and casualty insurance increase of $289,000 or 29% over
prior period premium; last year resulted in a $327,000 or 44% increase over prior year
DEVELOPMENT FUND• 25% increase in assessment contribution to the Development Fund
of $111 – total recommendation $555 per owner• Funding in place to be able to accelerate Downhill Ski Resort Eagle
Rock snowmaking and Beach Club Marina deck expansion
6
2022 BUDGET ASSUMPTIONS
6
2022 BUDGET ASSUMPTIONS CONTINUEDREPLACEMENT RESERVE FUND
• Proposed expenditure of $6.3M• Maintain 25% or greater funding levels over 30 years• Continued investment for replacement, repair and/or
enhancement of the association’s existing fixed assets
NEW MACHINERY AND EQUIPMENT FUND (NME)• No assessment contribution recommended to the NME Fund• Adequate funding in place for anticipated
projects/expenditures for 2022
7
7
OPERATING FUND
8
2022 OPERATING FUND BUDGET UPDATEFROM LAST WORKSHOP
LIVE EVENTS / STREET
ACTIVATION TEAMS
BOARDMEETINGS +
WORKSHOPS
• Operating Revenue: Increase in Equestrian Center, Downhill Ski Resort, Pizza on the Hill and Alder Creek Cafe (winter months) revenues while Cross Country Ski Center saw a reduction in revenue projections – this was a Net Revenue increase of $114,000 to the Operating Fund
• Food and Beverage Salaries: Allocated Director of Food and Beverage, Executive Chef and Banquet Sales Manager between all food and beverage outlets, previously allocated 100% to The Lodge Restaurant & Pub
• Medical Premiums: Actual medical costs per employee included along with estimate for new hires based on close of enrollment period
9 9
2022 OPERATING FUND BUDGET UPDATEFROM LAST WORKSHOP CONTINUED
LIVE EVENTS / STREET
ACTIVATION TEAMS
• Operating Investments: Reductions in insurance, staff investments, software costs amounting to $245,000
• Assessment Contribution to Operating Fund: Reduced from $955 to $946, a decrease of $9
1010
-
1,000,000
2,000,000
3,000,000
4,000,000
5,000,000
6,000,000
7,000,000
8,000,000
Actual Actual Actual Budget F/cast Budget
2018 2019 2020 2021 2021 2022
Salary and Wage History
Salaries Hourly Labor
• 4% CPI increase on salaries, full-time hourly and seasonal hourly positions
• Compensation study impacts to be competitive within the local market
• Newly added positions – Head Golf Pro and Senior Project Manager
• Full year of Director of Land Management position, Banquet and Sales Manager
• Seasonal hourly wages based on full-year operations
• Pizza on the Hill limited investment in 2021• Hourly labor for summer concerts• $4-per-hour minimum wage increase 2018-2022Budget 2022
• 12% increase on Forecast 2021• 10% increase on Budget 2021• 9% increase on Actual 2019
SALARY + WAGE HISTORY 2018-2022
11
-
1,000,000
2,000,000
3,000,000
4,000,000
5,000,000
6,000,000
7,000,000
Actual Actual Actual Budget F/cast Budget
2018 2019 2020 2021 2021 2022
Operating Investment History 2018-2022
• Full-year all amenity operations expected and budgeted accordingly
• 29% increase in property and casualty insurance
• Increase in golf maintenance to safeguard $2,000,000+ investment in greens
• eUnify software• Employee housing investment (offset
by J-1 revenue rent collected)
Budget 2022• 14% increase on Forecast 2021• 9% increase on Budget 2021• 20% increase on Actual 2019
OPERATING INVESTMENT HISTORY 2018-2022
12
AMENITY REVENUE DISTRIBUTION
32%
19%
49%
Cross Country Operations Revenue Mix
Member Guest Public
18%
40%
42%
Downhill Operations Revenue Mix
13
AMENITY REVENUE DISTRIBUTION CONTINUED
13%
34%
53%
Snowplay Operations Revenue Mix
63%
27%
10%
Golf Operations Revenue Mix
Member Guest Public
14
REVENUE GENERATED BY USERS VS. ANNUAL ASSESSMENT• $21,696,000: The total revenue requirement for a
balanced 2022 Operating Fund budget
• $15,575,000: Operating revenues generated by user fees; 72% of the requirement
• $6,121,000: Annual Assessment-generated funding; 28% of the requirement
72%
28%
Funded by user fees
Funded by AnnualAssessment
15
• Strategically consolidating food and beverage contracts to leverage purchasing power for better product pricing
• Growing member event operations at Alder Creek Cafe, the Grotto and Alder Room at The Lodge Restaurant & Pub
• Operating Pizza on the Hill with J-1s supporting in winter and summer seasons
• Scheduling operations to optimize business demands and control costs in the shoulder seasons
16
FOOD AND BEVERAGE OPERATIONS + INITIATIVES
16
• Consolidating cook staff to work in multiple locations (breaking down silos)
• Staffing levels improving with ability to bring in J-1s and the reduced government unemployment aid
• Partnering with WorkAbility and Transition, a program that helps transition local high school students into meaningful employment
17
FOOD AND BEVERAGE OPERATIONS + INITIATIVES CONTINUED
17
2019 MEMBER SURVEY DATA SHOWS MEMBERS WOULD RATHER AMENITIES STAY OPEN THAN CLOSE TO CUT COSTS
LIVE EVENTS / STREET
ACTIVATION TEAMS
BOARDMEETINGS +
WORKSHOPS
“TD members want high excellent facilities and staff, and want amenities to stay open, rather than to have their access restricted.”
18
CONSOLIDATED FOOD AND BEVERAGETHE LODGE, SUMMER F+B, ALDER CREEK CAFE, PIZZA ON THE HILL, WINTER F+B, MARINA GRILL
2022 Budget vs. 2021 Forecast
2018 Actual
2019 Actual
2020 Actual
2021 Forecast
2022 Budget
Amount Percentage
Revenue 4,314,327 4,218,214 1,990,266 2,654,621 3,749,145 1,094,524 41%
Cogs (1,267,733) (1,220,585) (633,049) (818,804) (1,117,413) (298,609) -36%
Gross Margin 3,046,594 2,997,629 1,357,217 1,835,817 2,631,732 795,915 43%
Payroll Direct - Salary (666,218) (591,544) (322,180) (619,762) (677,185) (57,423) -9%Payroll Direct - Hourly (1,351,599) (1,298,536) (808,514) (985,769) (1,058,106) (72,337) -7%
Payroll Direct - Total (2,017,817) (1,890,080) (1,130,694) (1,605,531) (1,735,291) (129,760) -8%Payroll Burden (537,519) (517,304) (339,361) (477,077) (517,527) (40,450) -8%
Payroll (2,555,336) (2,407,384) (1,470,055) (2,082,608) (2,252,818) (170,210) -8%Investments (735,788) (714,809) (503,884) (543,424) (638,548) (95,124) -18%
NORBO (244,530) (124,564) (616,722) (790,215) (259,634) 530,581 -67%Overhead Allocation - 0%
NOR (244,530) (124,564) (616,722) (790,215) (259,634) 530,581 -67%
COGS % -29% -29% -32% -31% -30%Payroll Direct % -47% -45% -57% -60% -46%
Payroll Burden % Payroll -27% -27% -30% -30% -30%
19
• TRAILS: Trails Master Plan funded through capital budget and not included in operating budget
• TENNIS CENTER: Increased NOR due to reallocation of Rec Fee revenue based on member usage
• GOLF COURSE: Increased investment in turf health program and wage competition with greenskeepers and added Head Golf Pro position
• REC: Return of summer concert, no COVID-19 capacity impacts
• BIKEWORKS: Reduced rental inventory and smoke impacts to 2021 revenue forecasts
• SNOWPLAY: Reduced Rec Fee allocation due to member usage
AMENITY NET OPERATING RESULTS COMPARED TO 2021 FORECAST NOTES
20
2022 AMENITY NET OPERATING RESULTS (NOR)
21
• ADMINISTRATION: Reduction due to reallocation of hourly staff to Facilities Administration Department
• MIS/IT: Increased due to outsourced security, 2021 vacancies and composition study adjustments
• HUMAN RESOURCES: Increase due to reallocation of all association employee relations and incentive programs costs to HR (prior years spread between departments)
• MEMBER SERVICES: Additional full-time employee, competitive wage adjustment and 2021 vacancies
• FORESTRY: Contract increases, added full-time employee and wage adjustments• MAINTENANCE: 2021 low-snow removal cost year and wage adjustments
HOA SERVICES NET OPERATING RESULTS COMPARED TO 2021 FORECAST NOTES
22
2022 HOA NET OPERATING RESULTS (NOR)2018 2019 2020 2021 2021 2022
Actual Actual Actual Budget Forecast BudgetNet Operating Income before Overhead Allocation
Association Business
General -$833,142 -$1,072,731 -$898,538 -$761,333 -$934,150 -$898,224
Administration -$774,570 -$865,527 -$248,311 -$902,040 -$1,135,803 -$1,005,298
Communications -$493,807 -$411,146 -$362,548 -$527,920 -$466,597 -$522,740
ASO -$174,883 -$214,540 -$15,104 -$315,607 -$187,904 -$203,131
MIS - Information Technology -$631,806 -$613,197 -$602,876 -$773,896 -$769,656 -$830,808
Accounting -$760,917 -$834,390 -$684,189 -$893,012 -$788,945 -$907,701
Human Resources -$373,965 -$383,748 -$329,913 -$459,940 -$417,801 -$472,957
Member Services -$212,291 -$223,448 -$206,725 -$233,358 -$269,188 -$367,448
Forestry -$876,493 -$1,150,991 -$1,442,811 -$1,540,472 -$1,061,976 -$1,253,738
Maintenance -$736,144 -$749,667 -$559,624 -$743,688 -$683,337 -$860,177
Facility Administration -$328,751 -$315,415 -$335,027 -$468,524 -$444,247 -$355,976
Total Association Departments -$6,196,769 -$6,834,800 -$5,685,666 -$7,619,790 -$7,159,603 -$7,678,199
23
2022 SUMMARY OPERATING FUND INCOME STATEMENT
24
2022 OPERATING FUND BUDGET RECOMMENDATIONPROPOSED DECREASE FROM 2021: $50
Budget Workshop #1 reflected an Operating Fund contribution of $955
25
CAPITAL IMPROVEMENT PLAN
26
• 15-year plan turned into 20-year plan with adjustment of a proposed construction timeline
• Accelerated Downhill Ski Resort Eagle Rock snowmaking and Beach Club Marina deck expansion
• Added golf course pedestrian bridge on Hole 18 bridge replacement
27
CAPITAL IMPROVEMENT PLAN UPDATE FROM LAST WORKSHOP
27
20-YEAR PLANDRAFT
Project Discretionary / Nondiscretionary
Strategic Plan Initiative
Proposed Year Const.
Association Wide
Fueling stations for equipment - Downhill Ski, XC Ski, Golf fueling pads Nondiscretionary 4 2026+
Workforce housing feasibility study/project Discretionary 3,5 2025-2026
Acquisition
Forestry
Campground
Mailboxes Discretionary 5 2025
Electric vehicle charging stations at select amenities as parking lot renovation projects come up on RRF Nondiscretionary 3,4,5 TBD
Solar opportunities Discretionary 3,4 ongoing
Generator Transfer Switches (ACAC, The Lodge, Top Shop) Nondiscretionary 1 2025
Alder Creek Adventure Center
Snowmelt north parking lot Nondiscretionary 1 2025
Snowmaking - Phase 2 Discretionary 5 2026+
Air conditioning/airflow Discretionary 1 2024
Forestry
Office remodel included in workforce housing above Discretionary 5 2026
New access road from Skislope with utilities including fiber - may be part of workforce housing above Nondiscretionary 5 2025
New storage building at Forestry Facility to replace multiple storage containers Nondiscretionary 5 2026+
Water Tower with PUD (potential partner with new road access) Discretionary 2025
Northwoods Campus/Tennis
Campus Master Plan and project Discretionary 2,5 start 2026
Parking capacity expansion Discretionary
Northwoods Clubhouse remodel/replace Discretionary
Tennis Building remodel/Replace Discretionary
Pool Expansion/hot tub Discretionary
Rec Revamp (playground, horseshoe, Bocce, archery, volleyball, etc.….) Discretionary
Downhill Ski Area
New Downhill Ski Lodge Nondiscretionary 2,5 2023-2024
Snowmaking Phase 2 - Eagle Rock Discretionary 2 2024
Replacement Conveyors (C2 and C3) with covers improve beginner area layout (assumes yurt is gone) Discretionary 2,5 2026+
Mile Run Improvements Discretionary 2 2026+
28
Project Discretionary / Nondiscretionary
Strategic Plan Initiative
Proposed Year Const.
Golf Course
Renovate driving range with shade structure include performance stage with power Discretionary 5 2026+
Ball shed building Discretionary 5 2026+
Course Restrooms Discretionary 2,5 2022
Marina
Deck expansion and shade structure Discretionary 2 2022
Revisit beach expansion project - expanded seating on hillside Discretionary 2 2026+
Bike parking enhancement Discretionary 2 2022
Marina and day camp hut Non-discretionary 5 2026+
The Lodge
Pavilion family dining area renovation Nondiscretionary 2,5 2022
Grotto enhancement Nondiscretionary 1,2 2022
ADA parking lot improvements Nondiscretionary 1,5 2022
Trails and Open Space
South Euer Valley Road: improvements Nondiscretionary 2,4 2022
Euer Valley restoration phase 1 (coyote crossing) Nondiscretionary 2,4 2022
Glacier Way Trailhead: expansion and restroom improvement Discretionary 2,5 2025
Alder Creek Trail Fjord to campground Improvements Nondiscretionary 2 2026+
Paved class 1, 4 season trail from the Town's Trout Creek Trailhead to ACAC Discretionary 2,4,5,6 2026+
Trail enhancements to align with updated trails and open space master plan Discretionary 2,4,5,6 ongoing
Nature Loop Trailhead at Trout Creek lot Discretionary 5 2022
20-YEAR PLANDRAFT – CONTINUED
29
Project Discretionary / Nondiscretionary
Strategic Plan Initiative
Proposed Year Const.
Trout Creek Recreation Center
Parking lot expansion and entrance reconfiguration - Needed for any future expansion at Trout Creek Discretionary 5 2026+
Snowplay building with restroom and adequate storage 2,5 2026+
Expand patio heating system - Hydronic heating rec pool Discretionary 5 2026+
Splash pad/basketball court revamp Discretionary 2,5 2026+
Maintenance Main gas pump replacement - pump, tank replacement, and covered roof structure Nondiscretionary 1,5 2024
Campground Bathhouse Nondiscretionary 5 2026
IT
Micro trench fiber on cart path via Trout-Lodge-Cart Barn-Golf Maintenance Discretionary 5
Wireless from trout to cell tower Discretionary 5
Suddenlink fiber to Topshop Discretionary 5
Suddenlink fiber to Forestry - if/when install new road Discretionary 5 2025
Network operations center expansion of golf maintenance facility Discretionary 5
Fiber and power in all parking lots Discretionary 5
Fiber from NWCG to Trout if/when paving trail Discretionary 5 2026+
Fiber install from Trout Creek to Snowplay Discretionary 5 2026+
Projects Placed in "Parking Lot"
Teton Way Trailhead: rustic improvement Discretionary 2,5 2032+
Cook House at Euer Valley with year-round restrooms Discretionary 2,5 2032+
Traffic calming/mobility master plan Discretionary 1 2032+
Shade structure at bocce courts Discretionary 2,5 2032+
Mini Golf Discretionary 2 2032+Adventure Park 2 2032+
20-YEAR PLANDRAFT – CONTINUED
30
5-YEAR CAPITAL IMPROVEMENT PROJECT OVERVIEWAmenity Project 2022 2023 2024 2025 2026
Association Wide Mailboxes 75,000 737,794
Association Wide Generator Transfer Switches 7,500 30,000
Association Wide Workforce Housing Feasibility Study/Project 75,000 250,000 1,500,000 1,000,000
ACAC Snowmelt North Parking Lot 30,000 250,000
ACAC Air Conditioning/Airflow 5,500 65,000
Campground Campground Bathhouse 51,000 459,000
Downhill Ski Resort Downhill Ski Lodge Replacement 496,952 14,543,858 5,648,493
Downhill Ski Resort Phase 2 Snowmaking: Eagle Rock 50,000 50,000 1,000,000
Golf Course Restroom Remodel (2) 100,000Golf New Roof at Golf Course Maintenance 100,000Golf Pedestrian Bridge on 18 25,000 130,000Maintenance Maintenance Yard Fuel Station Replacement 47,575 60,000 1,350,000
Marina Marina Deck Expansion and Shade Structure 322,000
Northwoods Campus Master Plan 75,000 75,000 700,000 3,000,000
The Lodge ADA Parking Lot Improvements 300,000
The Lodge Pavilion Family Dining Area Renovation 326,387The Lodge Grotto Enhancement 60,000Trails and Open Space Implement Trail/Trailhead Projects in the TMP 155,336 150,000 160,000 250,000 250,000Trails and Open Space Class 1 Trail from Trout Creek Trailhead to ACAC Planning 200,000 200,000 200,000
Trails and Open Space Glacier Way Parking Lot Expansion 55,000 550,000
Trails and Open Space Phase 1 Euer Valley Restoration (Coyote Crossing) 945,557
Trails and Open Space South Euer Valley Road 137,000
Total $3,065,807 $15,089,358 $8,915,993 $4,268,794 $4,909,000
Project costs are for estimation purposes only; actual project costs will adjust based on bid prices.31
CAPITAL PROJECTS FOR 2022
32
5-YEAR CAPITAL FUNDING PLANDOWNHILL SKI LODGE REPLACEMENTAmenity: Downhill Ski Resort
Project Description: The downhill ski lodge has exceeded its useful life for the association and needs to be replaced.
Strategic Plan Initiative: 1, 2, 5Appropriations beyond the five-year plan are needed to complete the project:
No
Budget TotalPhase 2021 2022 2023 2024 2025 2026
Project Costs Professional Services 575,055 496,952 14,543,858 5,684,493ConstructionTotal $575,055 $496,952 $14,543,858 $5,684,493 $0 $0 $21,300,358
Funding Source Development Fund 575,055 496,952 11,043,858 5,684,493Replacement Reserve Fund 3,500,000
Total $575,055 $496,952 $14,543,858 $5,684,493 $0 $0 $21,300,358
33
5-YEAR CAPITAL FUNDING PLANPHASE 2 SNOWMAKING: EAGLE ROCKAmenity: Downhill Ski Resort
Project Description: Phase 2 of snowmaking at the Downhill Ski Resort provides snowmaking to the Eagle Rock Chairlift. The project will tap into a well water source on the backside of the mountain, run over the top of the mountain and hook into the phase 1 system. This not only provides snowmaking to the Eagle Rock Chairlift but also takes the association off the TDPUD water supply for snowmaking.
Strategic Plan Initiative: 2Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 50,000 50,000
Construction 1,000,000Total $50,000 $50,000 $1,000,000 $0 $0 $1,100,000
Funding Source Development Fund 50,000 50,000 1,000,000Replacement Reserve Fund
Total $50,000 $50,000 $1,000,000 $0 $0 $1,100,00034
5-YEAR CAPITAL FUNDING PLANGOLF COURSE RESTROOMSAmenity: Golf
Project Description: The golf course's restrooms (2), built in 1992, have a useful life of 30 years and are due on the Replacement Reserve Fund for a remodel.
Strategic Plan Initiative: 2, 5Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 10,000
Construction 90,000 Total $100,000 $0 $0 $0 $0 $100,000
Funding Source Development FundReplacement Reserve Fund 100,000
Total $100,000 $0 $0 $0 $0 $100,00035
5-YEAR CAPITAL FUNDING PLANMAINTENANCE YARD FUEL STATION REPLACEMENTAmenity: Maintenance
Project Description: The fuel tank and pump system at the maintenance yard is up for replacement. The project includes replacement of the fuel tank, pad, pump, new card lock system, roof structure and electric vehicle charging stations for future association electric vehicles.
Strategic Plan Initiative: 1, 5Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 47,575 60,000
Construction 1,350,000Total $47,575 $60,000 $1,350,000 $0 $0 $1,457,575
Funding Source Development Fund 47,575 60,000 575,000Replacement Reserve Fund 775,000
Total $47,575 $60,000 $1,350,000 $0 $0 $1,457,57536
5-YEAR CAPITAL FUNDING PLANMARINA DECK EXPANSION + SHADE STRUCTUREAmenity: Beach Club Marina
Project Description: The Beach Club Marina is lacking deck space and shade structure adjacent to the grill. The project proposes expanding the existing deck into the lawn area and better utilizing the space for member enjoyment.
Strategic Plan Initiative: 2Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 22,000
Construction 300,000Total $322,000 $0 $0 $0 $0 $322,000
Funding Source Development Fund 222,000Replacement Reserve Fund 100,000
Total $322,000 $0 $0 $0 $0 $322,00037
5-YEAR CAPITAL FUNDING PLANADA PARKING LOT IMPROVEMENTSAmenity: The Lodge Restaurant & Pub
Project Description: The Lodge's ADA parking lot spaces do not comply with the current code as identified in the association-wide Certified Access Specialists (CASp) Report. The walkway between the upper and lower parking lots needs improving. This project addresses the issues stated above.
Strategic Plan Initiative: 1, 5Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services
Construction 300,000Total $300,000 $0 $0 $0 $0 $300,000
Funding Source Development Fund 50,000Replacement Reserve Fund 250,000
Total $300,000 $0 $0 $0 $0 $300,00038
5-YEAR CAPITAL FUNDING PLANPAVILION FAMILY DINING AREA RENOVATIONAmenity: The Lodge Restaurant & Pub
Project Description: The area where the wedding tent used to be is transitioning to an outdoor family dining area. This space offers a more casual dining experience for family dining and golf users than what the restaurant upstairs offers. A landscape architect will create a plan that may include ADA code compliance updates, a permanent shade structure, fire pits, a permanent outdoor bar and potential outdoor games/entertainment (cornhole, kids play area, etc.).
Strategic Plan Initiative: 2, 5Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 26,387
Construction 300,000Total $326,387 $0 $0 $0 $0 $326,387
Funding Source Development Fund 70,000Replacement Reserve Fund 256,387
Total $326,387 $0 $0 $0 $0 $326,38739
5-YEAR CAPITAL FUNDING PLANGROTTO ENHANCEMENTAmenity: The Lodge Restaurant & Pub
Project Description: The grotto is the private outdoor dining area at ground level in the northeast corner of The Lodge. The area was addressed in the Certified Access Specialists (CASp) Report not meeting ADA compliance for the grotto and pro shop walkway areas. The project will remediate the pavers and add a small expansion to accommodate private parties of around 100 guests.
Strategic Plan Initiative: 1, 2Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 10,000
Construction 50,000Total $60,000 $0 $0 $0 $0 $60,000
Funding Source Development FundReplacement Reserve Fund 60,000
Total $60,000 $0 $0 $0 $0 $60,00040
5-YEAR CAPITAL FUNDING PLANIMPLEMENT TRAIL/TRAILHEAD PROJECTSAmenity: Trails and Open Space
Project Description: An updated Trails and Open Space Master Plan is currently being conducted. This funding is a placeholder for future projects that arise from that study.
Strategic Plan Initiative: 2, 4, 5, 6Appropriations beyond the five-year plan are needed to complete the project:
Yes
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 80,336 15,000 20,000 25,000 25,000
Construction 75,000 135,000 140,000 225,000 225,000 Total $155,336 $150,000 $160,000 $250,000 $250,000 $965,336
Funding Source Development Fund 75,000 75,000 80,000 250,000 250,000Replacement Reserve Fund 80,336 75,000 80,000
Total $155,336 $150,000 $160,000 $250,000 $250,000 $965,33641
5-YEAR CAPITAL FUNDING PLANEUER VALLEY RESTORATION PHASE 1 (COYOTE CROSSING)Amenity: Trails and Open Space
Project Description: Euer Valley has undergone numerous human impacts from various activities over the past several decades. Tahoe Donner teamed up with the Truckee River Watershed Council to begin restoration of the valley. The phase 1 project includes stream channel work and recreation improvements, including a new bridge across Prosser Creek and a boardwalk providing access across the valley (Coyote Crossing).
Strategic Plan Initiative: 2, 4Appropriations beyond the five-year plan are needed to complete the project:
No
Budget TotalPhase 2021 2022 2023 2024 2025 2026
Project Costs Professional Services 176,500 Construction 945,557 Total $176,500 $945,557 $0 $0 $0 $0 $1,122,057
Funding Source Development FundReplacement Reserve Fund 176,500 355,721 Grant - Watershed Council 589,836 Total $176,500 $945,557 $0 $0 $0 $0 $1,122,057
42
5-YEAR CAPITAL FUNDING PLANSOUTH EUER VALLEY ROADAmenity: Trails and Open Space
Project Description: South Euer Valley Road is a multi-purpose doubletrack road that runs along the south side of Euer Valley. The road provides trail connectivity access in the summer and is utilized as a cross country trail in the winter. It is the only emergency access road on the south side of the valley. The road is in need of maintenance to continue providing these services.
Strategic Plan Initiative: 2, 4Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 12,000
Construction 125,000 Total $137,000 $0 $0 $0 $0 $137,000
Funding Source Development FundReplacement Reserve Fund 125,000Grant - Watershed Council 12,000Total $137,000 $0 $0 $0 $0 $137,000
43
5-YEAR CAPITAL FUNDING PLANGOLF COURSE PEDESTRIAN BRIDGE ON HOLE 18Amenity: Golf Course
Project Description: The Golf Course's pedestrian bridge over Trout Creek on the 18th fairway has failed. Full replacement is necessary.
Strategic Plan Initiative: 2, 5Appropriations beyond the five-year plan are needed to complete the project:
No
Budget Total
Phase 2022 2023 2024 2025 2026Project Costs Professional Services 25,000
Construction $130,000Total $25,000 $130,000 $0 $0 $0 $155,000
Funding Source Development FundReplacement Reserve Fund 25,000 $130,000
Total $25,000 $130,000 $0 $0 $0 $155,00044
DEVELOPMENT FUND
45
LIVE EVENTS / STREET
ACTIVATION TEAMS
46
2022 DEVELOPMENT FUND BUDGET UPDATE FROM LAST WORKSHOP• A transfer of $700,000 has been reflected in the
Development Fund forecast for 2021 based on the Operating Fund surplus in 2020
• Acceleration of Downhill Ski Resort Eagle Rock snowmaking and the Beach Club Marina deck expansion projects
• Revised payroll allocation costs to reflect capital projects staff, including the new Senior Project Manager position
• Land acquisition was added to the 5-Year Capital Improvement Plan
46
LIVE EVENTS / STREET
ACTIVATION TEAMS
DEVELOPMENT FUNDForecast 2021 Budget 2022
Beginning Balance $8,643,939 $10,011,237
Assessment Funds $2,874,012 $3,592,515
Interest Income $43,000 $93,000
2020 Operating Surplus Transfer $700,000 $350,000
Expenditures
Income Tax Investment -$3,000 -$7,000
Bad Debt Investment -$5,000 -$7,000
Overhead/Payroll Allocations -$112,580 -$117,083
Capital Additions/Expenditures -$2,129,134 -$1,109,527
Inflation $0 -$55,197
Ending Balance $10,011,237 $12,750,945
47
LIVE EVENTS / STREET
ACTIVATION TEAMS
2022 BUDGET CYCLE – DEVELOPMENT FUND INVESTMENT5-YEAR CAPITAL FUNDS PROJECTION
Amenity Project 2022 2023 2024 2025 2026
Association Wide Mailboxes 300,000
Association Wide Generator/Transfer Switches (Lodge, ACAC, Topshop) 7,500 30,000
Association Wide Workforce Housing Feasibility Study/Project 75,000 250,000 1,500,000 1,000,000
ACAC Snowmelt North Parking Lot 100,000
ACAC Air Conditioning/Airflow 5,500 65,000
Campground Campground Bathhouse 51,000 357,000
Downhill Ski Resort Downhill Ski Lodge Replacement 496,952 11,043,058 5,648,493
Downhill Ski Resort Phase 2 Snowmaking: Eagle Rock 50,000 50,000 1,000,000
Maintenance Maintenance Yard Fuel Station Replacement 45,575 60,000 575,000
Beach Club Marina Deck Expansion and Shade Structure 222,000
Northwoods Campus Master Plan and Project 75,000 75,000 700,000 3,000,000
The Lodge ADA Parking Lot Improvements 50,000
The Lodge Pavilion Family Dining Area Renovation 70,000
Trails and Open Space Implement Trail/Trailhead Projects in the TMP 75,000 75,000 80,000 250,000 250,000
Trails and Open Space Class 1 Trail From Trout Creek Trailhead to ACAC Planning
Trails and Open Space Glacier Way Parking Lot Expansion 55,000 450,000
Project costs are for estimation purposes only; actual costs will adjust based on bid prices.48
LIVE EVENTS / STREET
ACTIVATION TEAMS
5-YEAR INCREASE IN DEVELOPMENT FUND PROJECTION
2022 2023 2024 2025 2026
Estimated Annual Totals, Exclude RRF, Inflation Factor and Direct/Allocated Overhead 1,009,527 11,383,558 7,755,993 3,381,000 4,607,000Direct and Allocated Overhead 117,083 120,000 125,000 130,000 135,000
Land Acquisition 100,000 100,000 100,000 200,000 200,000
Expenditures Total 1,226,610 11,603,558 7,980,993 3,711,000 4,942,000
4.5% Inflation Factor 55,197 1,067,817 1,126,646 714,437 1,216,631
Total Including Inflation 1,281,807 12,671,375 9,107,639 4,425,437 6,158,631
Operating Fund Surplus Transfer – 2021 Operating Fund 350,0001.0% Interest Income 93,000 128,000 47,000 12,000 24,000
8.0% Income Tax Investment 7,000 10,000 4,000 1,000 2,000
Bad Debt Investment 7,000 7,000 7,000 7,000 7,000
Projected Development Fund Portion of Annual Assessment 555 694 867 867 867
6473 Annual Contribution 3,592,515 4,492,262 5,612,091 5,612,091 5,612,091
Beginning 10,011,237 12,773,935 4,705,821 1,246,273 2,436,928
Ending 12,750,945 4,682,831 1,223,283 2,413,938 1,882,398
Yr 2022 Yr 2023 Yr 2024 Yr 2025 Yr 2026
49
LIVE EVENTS / STREET
ACTIVATION TEAMS
5-YEAR IMPACT ON DEVELOPMENT FUND ASSESSMENT
Year Proposed Increase Each Year From 2021
Proposed DF Portion of Assessment Increased
25%/year Through 2024
2022 $111 $555
2023 $139 $694
2024 $173 $867
2025 $0 $867
2026 $0 $867
50
LIVE EVENTS / STREET
ACTIVATION TEAMS
2022 DEVELOPMENT FUND BUDGET RECOMMENDATIONPROPOSED INCREASE FROM 2021: $111
51
LIVE EVENTS / STREET
ACTIVATION TEAMS
2022 DEVELOPMENT FUND BUDGET RECOMMENDATION CONTINUED• At Workshop #2, the board inquired about the future assessment contribution
to the Development Fund• Currently, the association has projected the annual contribution to be $555 in
2022, $694 in 2023 and $867 for 2024-2026• Without having a fully defined long-range capital plan in place, it is difficult for
staff to create alternative scenarios
52
REPLACEMENT RESERVE FUND
53
LIVE EVENTS / STREET
ACTIVATION TEAMS
54
2022 REPLACEMENT RESERVE FUND BUDGET UPDATE FROM LAST WORKSHOP• Minor project funding changes• All years funded 25% or greater• Revised payroll allocation costs to reflect capital
projects staff, including new Senior Project Manager position
54
LIVE EVENTS / STREET
ACTIVATION TEAMS
REPLACEMENT RESERVE FUNDForecast 2021 Budget 2022
Beginning Balance $13,128,074 $13,625,446
Assessment Funds $5,184,873 $5,489,104
Interest Income $159,000 $160,000
Salvage Receipts $36,705 $40,000
Expenditures
Consulting $0 $0
Bad Debt -$13,000 -$15,000
Income Tax -$25,000 -$25,000
Overhead/Payroll Allocations -$103,409 -$215,000
Capital Additions/Expenditures -$4,741,797 -$6,113,230
Ending Balance $13,625,446 $12,946,320
55
LIVE EVENTS
/ STREET ACTIVATION TEAMS
30-YEAR CASH FLOW/CAPITAL BUDGET SUMMARY
56
LIVE EVENTS / STREET
ACTIVATION TEAMS
5-YEAR REPLACEMENT RESERVE FUND INVESTMENT BY AMENITYAMENITY ASSET 5-YEAR VALUE NET ASSET VALUE 12/31/2020
GENERAL ADMINISTRATION
Administration $705,341 $6,671,337Capital Projects $1,126,525 Chalet House $288,031 Food Trailer $9,359 General Maintenance $579,910 $1,278,550Recreation $443,915 $62,907
MAINTENANCE Maintenance $1,332,305 $1,380,966MIS/IT IT $3,350,877 $320,898
ALDER CREEK ADVENTURE CENTER CAMPUS
Alder Creek Cafe $111,339 $40,450
Bikeworks $146,314 $27,605Equestrian $192,768 $672,654Cross Country Ski Center $143,111 $8,976,689
CAMPGROUND Campground $2,615,419 $42,472FORESTRY Forestry $1,416,247 $1,474,320
GOLF CAMPUSGolf Course $4,496,541 $2,939,785The Lodge Restaurant & Pub $1,479,059 $4,681,226
BEACH CLUB MARINA Marina $1,031,082 $248,966POOLS Pools at Trout Creek + Northwoods $1,020,993 $511,705
NORTHWOODS CLUBHOUSE CAMPUS
Northwoods Clubhouse $1,502,792 Pizza on the Hill $152,440 $36,317Tennis Center $889,794 $365,045
DOWNHILL SKI RESORT Downhill Ski Resort $7,449,801 $5,130,475TRAILS Trails $1,925,616 $583,156
TROUT CREEK CAMPUSTrout Creek Recreation Center $919,785 $4,834,489
Snowplay $82,116 $44,561
TOTAL $33,411,480 $40,324,573
57
2022 REPLACEMENT RESERVE FUND BUDGETPROPOSED INCREASE FROM 2021: $47
LIVE EVENTS / STREET
ACTIVATION TEAMS
BOARDMEETINGS +
WORKSHOPS
58
NEW MACHINERY AND EQUIPMENT FUND
59
LIVE EVENTS / STREET
ACTIVATION TEAMS
60
WHAT IS THE NEW MACHINERY AND EQUIPMENT FUND?This fund is used to acquire new items identified as necessary to be more efficient in operations, or to provide new services to the membership
NEW MACHINERY AND EQUIPMENT FUND 2022 HIGHLIGHTS• Beach Club Marina bike parking• Shade sails at day camp building at the Beach
Club Marina• Zendesk expansion
60
LIVE EVENTS / STREET
ACTIVATION TEAMS
NEW MACHINERY AND EQUIPMENT FUNDBudget 2022
Beginning Balance $294,236
Assessment Funds $0
Interest Income $110
Expenditures
Capital Additions/Expenditures -$140,500
Ending Balance $153,846
61
TOTAL 2022 ANNUAL ASSESSMENT
62
ASSESSMENT CONTRIBUTION TO OPERATING + CAPITAL FUNDS
National average 2021 inflation rate 5.3%
Western region average 5.0%
63
STAFF RECOMMENDATION
LIVE EVENTS / STREET
ACTIVATION TEAMS
recommended
Increase the assessment by $108, which includes:
• Operating Fund: $946; -5%
• Development Fund: $555; +25%
• Replacement Reserve Fund: $848; +6%
• New Machinery and Equipment Fund: $0; 0%
• TOTAL: $2,349; 4.8% increase
64
ACTION
• OPERATION ASSESSMENT AT $946 (-$50 FROM 2021)• DEVELOPMENT FUND AT $555 (+$111 FROM 2021)• REPLACEMENT RESERVE FUND AT $848 (+$47 FROM 2021)• NEW MACHINERY AND EQUIPMENT FUND AT $0 (NO
CHANGE FROM 2021)
• BY MOTION, ADOPT THE BUDGET AS PRESENTED WITH OR WITHOUT MODIFICATION FOR AN ANNUAL ASSESSMENT OF $2,349
OR• PROVIDE DIRECTION TO STAFF TO REFINE FUND CONTRIBUTIONS
FOR APPROVAL AT OCTOBER 22 REGULAR BOARD MEETING
65
2022 RECREATION + AMENITY ACCESS FEES
66
September 9, 2021 Budget Workshop #1
• Operating budget recommendation of $395 Rec Fee and a $1 increase to the Daily Access Fees for members, accompanied guests and unaccompanied guests
• The board requested staff to review the opportunity to provide a two-person alternative to the Recreation Fee
2022 REC + AMENITY ACCESS FEES
67
September 23, 2021 Budget Workshop #2Staff presented results of the analysis using the following assumptions:• Analyze a Recreation Fee product mix that includes an option for a two-person fee and
a four-person fee • Goal is to remain revenue neutral
• Revenue projection should equal the proposed revenue total of $1,260,000 in the draft 2022 budget presentation
Specific analysis assumptions:• Use actual data from 2017-2018 and 2018-2019 Recreation Fee periods• Use the 2022 proposed Daily Access Fee of $10 per member in the analysis• 90% of all former cardholder uses will be converted to daily access uses/revenue• Use the 2022-2023 forecasted quantity of Rec Fees sold in the analysis• 25% conversion rate from four- to two-person Rec Fee product
Board direction was to develop a recommendation with a two- and four-person option
2022 REC + AMENITY ACCESS FEES CONTINUED
68
2022 REC + AMENITY ACCESS FEES CONTINUED
LIVE EVENTS / STREET
ACTIVATION TEAMS
BOARDMEETINGS +
WORKSHOPS
October 15, 2021 Budget Workshop #3
When considering the board direction, staff identified an additional assumption when modeling a two-person option for the Recreation Fee• 50% of the individual properties that do not use the amenities—yet purchase
the annual Rec Fee—may not purchase the Rec Fee moving forward
Options:Multi-Person Recreation Fee Structure:
4-Person: $420 per property
2-Person: $330 per property
One Recreation Fee Structure:
$395 per property
Both options include a $1 increase to the Daily Access Fee for all user types on May 1, 202269
• BY MOTION, ADOPT THE REVISED RECREATION FEE RECOMMENDATION OF $420 FOR UP TO FOUR PERSONS AND $330 FOR UP TO TWO PERSONS
ALTERNATIVE:• THE RECREATION FEE REMAIN AT $395 FOR UP TO FOUR PERSONS,
FIRST PROPOSED AT BUDGET WORKSHOP #1• BOARD TO PROVIDE ADDITIONAL DIRECTION REGARDING PRICING
ACTION
70